TAV Havalimanlari Holding A.S.

BIST:TAVHL.IS

243 (TRY) • At close November 8, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) TRY.

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 538.911258.01592.939604.298582.532550.337344.214316.832211.66657.58197.82263.17432.092414.887347.861313.6764.65211.67210.928
Kortetermijnbeleggingen 80.88845.46686.24350392.562-73.208-86.959-101.241-134.017-134.716-114.13604.207-196.0956.39132.2580.2490.1580.61
Liquide middelen en kortetermijnbeleggingen 619.799303.48192.939654.298582.532550.337344.214316.832211.66657.58197.82263.17436.299414.887354.251345.92864.90111.8311.538
Nettovorderingen 120.684123.6392.85480.887127.73400000000000000
Voorraad 33.80550.16920.747.1278.9149.1019.8958.79311.11310.0387.55122.69118.67613.96711.4039.7719.4437.8835.339
Overige vlottende activa 336.744398.682240.708342.394355.877343.137472.711467.377696.481840.73633.57735.515250.8238.703219.09238.41471.662523.919294.631
Totaal vlottende activa 1,031.672752.332447.2411,084.7061,075.691902.576826.82793.002919.26908.349738.943821.376705.775667.557584.745594.108546.006543.632311.508
Niet-vlottende activa:
Materiële vaste activa, netto 746.042544.099429.251248.312263.783230.415192.364230.318209.913179.895156.867192.005178.963169.535117.52881.21667.31533.80718.227
Goodwill 216.411219.206213.441137.055137.387135.439136.05135.831135.831135.831136.149152.129152.129154.02151.403131.565131.56500
Immateriële activa 1,594.9721,672.1081,693.0941,580.831,591.9561,571.2621,629.4371,708.0421,742.5971,109.373949.587849.165802.311772.15764.361486.986533.23800
Goodwill en immateriële activa 1,811.3831,891.3141,906.5351,717.8851,729.3431,706.7011,765.4871,843.8731,878.4281,245.2041,085.7361,001.294954.439926.169915.764618.551664.80390.8587.552
Langetermijnbeleggingen 749.925784.169319.197361.9530563.88175.191195.612239.668238.815206.1550-4.183196.119-6.367-32.2330.9870.585-0.582
Belastingvorderingen 44.18728.59318.46832.21626.55229.05134.56136.99357.5173.12572.207100.15881.71879.49354.25437.36721.14312.80620.275
Overige niet-vlottende activa 369.889277.226324.037110.051739.0134.9187.8461.51.6051.2951.654133.9164.5350.602257.193331.881181.714674.534712.163
Totaal niet-vlottende activa 3,721.4263,525.4012,997.4882,470.4172,758.692,534.9662,175.4492,308.2962,387.1241,738.3341,522.6191,427.3571,375.4731,371.9171,338.3721,036.781935.961812.581837.634
Totaal activa 4,753.0984,277.7333,444.7293,555.1233,834.3813,437.5413,002.2693,101.2983,306.3842,646.6832,261.5622,248.7332,081.2492,039.4741,923.1161,630.8891,481.9671,356.2131,149.143
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 55.05970.41541.9345.60365.06343.62543.75453.78848.04342.61939.86251.61940.40448.1829.30627.54321.55873.72137.413
Kortlopende schulden 532.375388.055344.5511,018.683616.863570.794684.833664.089685.703236.023292.574240.291203.251228.228199.139222.079237.035838.148229.331
Belastingschulden 34.86925.13814.11610.612110.03516.10225.18527.50419.90922.01415.53617.62211.7829.9211.3922.4881.48800
Uitgestelde opbrengsten 272.408084.934208.365212.778203.4460000000000029.14215.898
Overige kortlopende verplichtingen 28.379272.75715.9489.4924.6449.222183.835182.269166.06864.81952.027235.31194.203165.034146.745160.34586.7851.6810.714
Totaal kortlopende verplichtingen 888.221731.227487.3631,282.143899.348827.087912.422900.146899.814343.461384.463527.22437.858441.442375.19409.967345.377942.691283.356
Langlopende verplichtingen:
Langetermijnschulden 1,696.702982.302977.467619.9991,210.1691,166.5431,103.9341,271.5581,464.2911,357.4371,079.2021,136.0851,021.0431,008.0941,089.524876.557767.50349.739673.177
Uitgestelde opbrengsten niet-vlottend 14.56311.72413.20415.26416.91517.7620.96836.18145.20629.28523.92318.58119.92621.68814.33916.6619.0683.6852.36
Uitgestelde belastingverplichtingen niet-vlottend 77.1493.59574.62713.30320.66312.49415.49114.9764.943.3163.8865.8826.0776.2817.3365.7524.5813.8893.927
Overige niet-vlottende verplichtingen 650.0321,234.227881.415689.719380.59385.98660.16871.34578.7167.49143.82224.19733.9221.58323.72812.9144.88422.56819.566
Totaal niet-vlottende verplichtingen 2,438.4372,321.8481,946.7131,338.2851,628.3361,582.7831,200.5611,394.061,593.1371,557.5281,250.8331,184.7451,080.9671,057.6471,134.928911.884796.03779.881699.03
Totaal passiva 3,326.6583,053.0752,434.0762,620.4282,527.6852,409.872,112.9832,294.2062,492.9511,900.9891,635.2961,711.9651,518.8251,499.0891,510.1171,321.851,141.4141,022.572982.385
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 162.384162.384162.384162.38454.50460.026162.384162.384162.384162.384162.384162.384162.384162.384162.384104.91104.9199.544104.853
Ingehouden winsten 986.349725.838590.668539.583607.954441.568541.233435.499417.026338.389193.735142.05675.54237.21-9.168-56.688-53.5-5.13254.871
Overige gereserveerde algehele resultaten 967.177913.98542.9754.898542.40100000000000000
Overige totale aandeelhoudersvermogen -704.693-597.547199.675215.924111.525532.168189.862210.22228.171227.748237.716199.894237.287237.732219.227245.8274.156216.155-3.821
Totaal eigen vermogen van aandeelhouders 1,411.2171,204.66995.702922.7891,316.3841,033.763893.479808.103807.581728.521593.835504.334475.213437.325372.443294.022325.566310.566155.904
Totaal eigen vermogen 1,426.441,224.6581,010.653934.6951,306.6971,027.671889.286807.092813.433745.694626.266536.768562.424540.385412.999309.039340.553333.64166.757
Totaal passiva en aandeelhoudersvermogen 4,753.0984,277.7333,444.7293,555.1233,834.3813,437.5413,002.2693,101.2983,306.3842,646.6832,261.5622,248.7332,081.2492,039.4741,923.1161,630.8891,481.9671,356.2131,149.143